ADMIRAL GROUP(FLN) EUR 23.8
Dividend Yield(TTM) =5.74%
Year Yield Total Amount Ex Date
20225.74%EUR 1.366EUR0.6082022-09-01
EUR0.7582022-05-05
20214.01%EUR 0.9550.7312021-09-02
0.2242021-05-06
20203.89%EUR 0.9250.3622020-09-03
0.5632020-05-07
20191.58%EUR 0.3760.2122019-09-05
0.1642019-05-09
20181.58%EUR 0.3770.1922018-09-06
0.1852018-05-10
20170.76%EUR 0.1810.1812017-09-07
20161.85%EUR 0.440.1422016-09-08
0.2982016-05-12
20152.20%EUR 0.5240.2592015-09-10
0.2652015-05-07
20142.18%EUR 0.5190.2572014-09-10
0.2622014-04-30
20132.12%EUR 0.5050.2642013-09-11
0.2412013-05-02
20122.53%EUR 0.6030.2382012-09-12
0.3652012-05-02
20111.77%EUR 0.4210.218892011-09-28
0.202222011-05-18
20102.76%EUR 0.6570.3262010-10-06
0.331112010-03-10